Deposits
- All deposits received must be banked within two days.
- Direct deposits must include:
○ Real Estate Trust Account - receipt and copy of bank draft
○ Commission Trust - commission invoice
○ General Acct - invoice
- Any discrepancies between deposit amount and AR amount is to be investigated by accounting associate and notified to the controller
- Cheques are to be scanned daily with deposit list and saved on the drive, physical cheque is to be filed in accounting office by month deposited
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